Top Companies Added as New Holdings by Institutions in Q3 2020
Ticker | Buy | Sell | Net Activity | |||||
---|---|---|---|---|---|---|---|---|
New Holding | Increment | Total | Sold Out | Reduction | Total | |||
GNTX
|
$ 0 0 Shares | $ 1.3M 50.4K Shares | $ 1.3M 50.4K Shares | $ 16.6M 645K Shares | $ 4K 175 Shares | $ 16.6M 645K Shares | $-15.3M -595K Shares | |
ESTC
|
$ 0 0 Shares | $ 3.09M 28.6K Shares | $ 3.09M 28.6K Shares | $ 188M 1.75M Shares | $ 0 0 Shares | $ 188M 1.75M Shares | $-185M -1.72M Shares | |
GPK
|
$ 0 0 Shares | $ 95K 6.81K Shares | $ 95K 6.81K Shares | $ 12.1M 861K Shares | $ 0 1 Shares | $ 12.1M 861K Shares | $-12M -854K Shares | |
PHI
|
— | $ 400K 14.8K Shares | $ 0 0 Shares | $ 400K 14.8K Shares | $-400K -14.8K Shares | |||
STWD
|
— | $ 40.1M 2.66M Shares | $ 174K 11.6K Shares | $ 40.3M 2.67M Shares | $-40.3M -2.67M Shares | |||
PB
|
— | $ 5.64M 109K Shares | $ 0 0 Shares | $ 5.64M 109K Shares | $-5.64M -109K Shares | |||
AXON
|
$ 0 0 Shares | $ 1.97M 21.7K Shares | $ 1.97M 21.7K Shares | $ 42.3M 466K Shares | $ 9K 100 Shares | $ 42.3M 466K Shares | $-40.3M -445K Shares | |
COTY
|
— | $ 24.2M 8.97M Shares | $ 1K 558 Shares | $ 24.2M 8.97M Shares | $-24.2M -8.97M Shares | |||
FIVE
|
$ 0 0 Shares | $ 317K 2.5K Shares | $ 317K 2.5K Shares | $ 26.2M 206K Shares | $ 27.5M 217K Shares | $ 53.7M 423K Shares | $-53.4M -420K Shares | |
FR
|
— | $ 12.9M 323K Shares | $ 0 2 Shares | $ 12.9M 323K Shares | $-12.9M -323K Shares | |||
KRC
|
$ 0 0 Shares | $ 2K 50 Shares | $ 2K 50 Shares | $ 22.1M 425K Shares | $ 467K 9K Shares | $ 22.5M 434K Shares | $-22.5M -434K Shares | |
CHH
|
— | $ 31.1M 362K Shares | $ 275K 3.2K Shares | $ 31.4M 365K Shares | $-31.4M -365K Shares | |||
WH
|
$ 0 0 Shares | $ 183K 3.63K Shares | $ 183K 3.63K Shares | $ 54.3M 1.08M Shares | $ 25K 504 Shares | $ 54.3M 1.08M Shares | $-54.2M -1.07M Shares | |
HALO
|
— | $ 22M 835K Shares | $ 0 0 Shares | $ 22M 835K Shares | $-22M -835K Shares | |||
CPRI
|
$ 0 20 Shares | $ 68K 3.83K Shares | $ 69K 3.85K Shares | $ 109M 6.05M Shares | $ 821K 45.6K Shares | $ 110M 6.09M Shares | $-110M -6.09M Shares | |
LSCC
|
— | $ 41.9M 1.45M Shares | $ 0 0 Shares | $ 41.9M 1.45M Shares | $-41.9M -1.45M Shares | |||
NFG
|
— | $ 64.9M 1.6M Shares | $ 111K 2.75K Shares | $ 65M 1.6M Shares | $-65M -1.6M Shares | |||
INGR
|
$ 0 0 Shares | $ 5K 75 Shares | $ 5K 75 Shares | $ 12.5M 166K Shares | $ 15K 210 Shares | $ 12.6M 166K Shares | $-12.6M -166K Shares | |
UWMC
|
— | $ 41K 4K Shares | $ 0 0 Shares | $ 41K 4K Shares | $-41K -4K Shares | |||
ASR
|
— | $ 21.5M 185K Shares | $ 0 0 Shares | $ 21.5M 185K Shares | $-21.5M -185K Shares | |||
PDCE
|
$ 0 78 Shares | $ 0 0 Shares | $ 0 78 Shares | $ 21.2M 1.71M Shares | $ 0 0 Shares | $ 21.2M 1.71M Shares | $-21.2M -1.71M Shares | |
FAF
|
$ 0 0 Shares | $ 549K 10.8K Shares | $ 549K 10.8K Shares | $ 74.9M 1.47M Shares | $ 14K 276 Shares | $ 74.9M 1.47M Shares | $-74.4M -1.46M Shares | |
REYN
|
$ 0 0 Shares | $ 11K 380 Shares | $ 11K 380 Shares | $ 40.7M 1.33M Shares | $ 0 0 Shares | $ 40.7M 1.33M Shares | $-40.7M -1.33M Shares | |
FFIN
|
— | $ 3.56M 127K Shares | $ 0 0 Shares | $ 3.56M 127K Shares | $-3.56M -127K Shares | |||
CX
|
— | $ 8.57M 2.26M Shares | $ 7K 2.11K Shares | $ 8.58M 2.26M Shares | $-8.58M -2.26M Shares | |||
WB
|
— | $ 31.3M 860K Shares | $ 0 0 Shares | $ 31.3M 860K Shares | $-31.3M -860K Shares | |||
FSK
|
$ 0 0 Shares | $ 4K 293 Shares | $ 4K 293 Shares | $ 990K 62.5K Shares | $ 209K 13.2K Shares | $ 1.2M 75.7K Shares | $-1.2M -75.4K Shares | |
MDU
|
$ 0 0 Shares | $ 3K 175 Shares | $ 3K 175 Shares | $ 3.71M 165K Shares | $ 6K 297 Shares | $ 3.72M 165K Shares | $-3.71M -165K Shares | |
BAK
|
— | $ 104K 14K Shares | $ 0 0 Shares | $ 104K 14K Shares | $-104K -14K Shares | |||
GIL
|
$ 0 45 Shares | $ 0 0 Shares | $ 0 45 Shares | $ 20.3M 1.03M Shares | $ 391K 19.9K Shares | $ 20.7M 1.05M Shares | $-20.7M -1.05M Shares | |
OSK
|
$ 0 0 Shares | $ 8K 110 Shares | $ 8K 110 Shares | $ 13.1M 178K Shares | $ 11K 150 Shares | $ 13.1M 178K Shares | $-13.1M -178K Shares | |
STAG
|
$ 0 0 Shares | $ 9K 317 Shares | $ 9K 317 Shares | $ 13.7M 449K Shares | $ 84K 2.77K Shares | $ 13.8M 452K Shares | $-13.8M -452K Shares | |
MTDR
|
— | $ 3.71M 449K Shares | $ 1K 207 Shares | $ 3.71M 449K Shares | $-3.71M -449K Shares | |||
DAVA
|
— | $ 4K 70 Shares | $ 146K 2.32K Shares | $ 150K 2.39K Shares | $-150K -2.39K Shares | |||
SAIC
|
$ 0 0 Shares | $ 85K 1.09K Shares | $ 85K 1.09K Shares | $ 126M 1.6M Shares | $ 22K 284 Shares | $ 126M 1.6M Shares | $-125M -1.6M Shares | |
COKE
|
$ 0 0 Shares | $ 14K 60 Shares | $ 14K 60 Shares | $ 1.8M 7.48K Shares | $ 34K 144 Shares | $ 1.83M 7.62K Shares | $-1.82M -7.56K Shares | |
KNSL
|
— | $ 4.73M 24.8K Shares | $ 10K 53 Shares | $ 4.74M 24.9K Shares | $-4.74M -24.9K Shares | |||
MEDP
|
— | $ 14.9M 133K Shares | $ 49K 445 Shares | $ 15M 134K Shares | $-15M -134K Shares | |||
IONS
|
$ 0 8 Shares | $ 0 0 Shares | $ 0 8 Shares | $ 7.59M 160K Shares | $ 0 0 Shares | $ 7.59M 160K Shares | $-7.59M -160K Shares | |
SITE
|
— | $ 8.64M 70.8K Shares | $ 6K 52 Shares | $ 8.64M 70.9K Shares | $-8.64M -70.9K Shares | |||
ROLL
|
$ 0 2 Shares | $ 0 0 Shares | $ 0 2 Shares | $ 2.9M 23.9K Shares | $ 4K 37 Shares | $ 2.9M 23.9K Shares | $-2.9M -23.9K Shares | |
MTZ
|
$ 0 0 Shares | $ 107K 2.55K Shares | $ 107K 2.55K Shares | $ 32M 758K Shares | $ 0 0 Shares | $ 32M 758K Shares | $-31.9M -756K Shares | |
HLI
|
$ 0 0 Shares | $ 340K 5.76K Shares | $ 340K 5.76K Shares | $ 10.8M 183K Shares | $ 1.45M 24.6K Shares | $ 12.2M 207K Shares | $-11.9M -201K Shares | |
DSGX
|
— | $ 20.4M 359K Shares | $ 0 0 Shares | $ 20.4M 359K Shares | $-20.4M -359K Shares | |||
WCC
|
$ 0 14 Shares | $ 141M 3.2M Shares | $ 141M 3.2M Shares | $ 36.3M 825K Shares | $ 86K 1.97K Shares | $ 36.4M 827K Shares | $104M 2.37M Shares | |
RLI
|
$ 0 0 Shares | $ 6K 80 Shares | $ 6K 80 Shares | $ 3.3M 39.4K Shares | $ 0 0 Shares | $ 3.3M 39.4K Shares | $-3.29M -39.3K Shares | |
NVT
|
$ 0 13 Shares | $ 0 0 Shares | $ 0 13 Shares | $ 3.63M 205K Shares | $ 20K 1.16K Shares | $ 3.65M 206K Shares | $-3.65M -206K Shares | |
POST
|
$ 0 0 Shares | $ 0 10 Shares | $ 0 10 Shares | $ 51M 906K Shares | $ 0 0 Shares | $ 51M 906K Shares | $-51M -906K Shares | |
VVV
|
$ 0 0 Shares | $ 106K 5.62K Shares | $ 106K 5.62K Shares | $ 52.4M 2.75M Shares | $ 24K 1.27K Shares | $ 52.4M 2.75M Shares | $-52.3M -2.75M Shares | |
ASND
|
— | $ 106M 685K Shares | $ 0 0 Shares | $ 106M 685K Shares | $-106M -685K Shares |